Features

Mainly in shares on the Greek stock exchange (up to 65% of its assets) and the remainder in fixed income securities and in domestic money market instruments and derivatives.

Who is it for:

Medium- to long-term risk averse investors with an investment horizon of 2 to 5 years, who are interested to exploit the investment opportunities of ATHEX shares, but only willing to assume average investment risk.

What is the investment goal:

To achieve high returns with the equivalent levels of risk.

Which factors affect returns:

Fluctuations of share prices on ATHEX.

Bond prices fluctuations affected by market interest rate volatility.

Market interest rate fluctuations of interbank rates.

UCITS DO NOT HAVE GUARANTEED RETURNS AND PREVIOUS PERFORMANCES DO NOT GUARANTEE FUTURE RETURNS